Profil
Mr. Moeez U.
Ansari is a President & Chief Investment Officer at Compak Asset Management.
With over 40 years of investment experience, he applies technical and fundamental analysis to evaluate the markets.
His extensive tenure in the financial industry has equipped him with the expertise and intuition necessary to navigate the complexities of the global marketplace.
His professional experience spans options trading, portfolio optimization, futures trading, mutual fund selection modeling, and financial risk management.
Mr. Ansari began his broadcasting career in 1988 and has since become a consummate radio personality, offering expert financial analysis and market interpretation.
Postes actifs de Moe Ansari
| Sociétés | Poste | Début |
|---|---|---|
Compak Asset Management
Compak Asset Management Investment ManagersFinance Compak believes that the allocation of assets among various classes of investments enhances the investment returns, especially when compared to a portfolio that consists only of one asset class. The firm’s investment strategies attempt to find a balance between risk and return for clients that use the historical performance of each asset class as a guide. Compak uses tactical strategies, fundamental and technical analyses, and information obtained from clients to develop the investment strategy that they believe will provide the greatest potential return consistent with risk tolerance. Also, the firm uses Compak Customized Portfolio Strategy to manage some client portfolios. | Directeur Général | 01/01/1999 |
Expériences
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Compak Asset Management
Compak Asset Management Investment ManagersFinance Compak believes that the allocation of assets among various classes of investments enhances the investment returns, especially when compared to a portfolio that consists only of one asset class. The firm’s investment strategies attempt to find a balance between risk and return for clients that use the historical performance of each asset class as a guide. Compak uses tactical strategies, fundamental and technical analyses, and information obtained from clients to develop the investment strategy that they believe will provide the greatest potential return consistent with risk tolerance. Also, the firm uses Compak Customized Portfolio Strategy to manage some client portfolios. | Finance |
















